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2009 CASH FLOW - 006
95517 - Aetna Health Inc ME Corp
Quarter 2

Line Description Current Year to Date Prior Year Ended December 31
01 Premiums collected net of reinsurance   68,647,309 152,517,063
02 Net investment income   805,599 2,086,246
03 Miscellaneous income   0 0
04 Total   69,452,908 154,603,309
05 Benefit and loss related payments   60,052,813 129,248,871
06 Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts   0 0
07 Commissions, expenses paid and aggregate write-ins for deductions   8,407,310 19,058,545
08 Dividends paid to policyholders   0 0
09 Federal and foreign income taxes paid (recovered) net of $0 tax on capital gains (losses)   -2,001,877 1,243,853
10 Total   66,458,246 149,551,269
11 Net cash from operations   2,994,662 5,052,040
12.1 Bonds (proceeds from investments sold, matured or repaid)   8,795,189 8,753,912
12.2 Stocks (proceeds from investments sold, matured or repaid)   0 0
12.3 Mortgage loans (proceeds from investments sold, matured or repaid)   0 0
12.4 Real estate (proceeds from investments sold, matured or repaid)   0 0
12.5 Other invested assets (proceeds from investments sold, matured or repaid)   0 0
12.6 Net gains or (losses) on cash, cash equivalents and short- term investments (proceeds from investments sold, matured or repaid)   131 0
12.7 Miscellaneous proceeds (proceeds from investments sold, matured or repaid)   0 0
12.8 Total investment proceeds (proceeds from investments sold, matured or repaid)   8,795,320 8,753,912
13.1 Bonds (cost of investments acquired - long-term only)   6,066,686 3,089,218
13.2 Stocks (cost of investments acquired - long-term only)   0 0
13.3 Mortgage loans (cost of investments acquired - long-term only)   0 0
13.4 Real estate (cost of investments acquired - long-term only)   0 0
13.5 Other invested assets (cost of investments acquired - long-term only)   0 0
13.6 Miscellaneous applications (cost of investments aquired - long-term only)   0 0
13.7 Total investments acquired (cost of investments aquired - long-term only)   6,066,686 3,089,218
14 Net increase (or decrease) in contract loans and premium notes   0 0
15 Net cash from investments   2,728,634 5,664,694
16.1 Surplus notes, capital notes (cash provided/applied)   0 0
16.2 Capital and paid in surplus, less treasury stock (cash provided/applied)   0 0
16.3 Borrowed funds (cash provided/applied)   0 0
16.4 Net deposits on deposit-type contracts and other insurance liabilities (cash provided/applied)   0 0
16.5 Dividends to stockholders (cash provided/applied)   9,400,000 9,000,000
16.6 Other cash provided (applied)   -4,412,393 3,524,213
17 Net cash from financing and miscellaneous sources   -13,812,393 -5,475,787
18 Net change in cash, cash equivalents and short-term investments   -8,089,097 5,240,947
19.1 Beginning of year (cash, cash equivalents and short-term investments)   12,713,898 7,472,951
19.2 End of period (cash, cash equivalents and short-term investments)   4,624,801 12,713,898

Last Updated: September 27, 2010